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Role Summary
We are seeking a Market Risk Analyst to strengthen the firm's first-line risk function, focusing on derivatives. The role involves monitoring exposures, managing risk across multiple asset classes, and collaborating with trading, structuring, and control teams to ensure robust risk management across global markets.
Key Responsibilities
Monitor client and firm positions in real time and overnight, ensuring compliance with risk limits
Assess onboarding clients, product suitability, limits, and margin requirements
Manage accounts breaching risk thresholds, including client communication and escalation
Administer trading platforms, adjust pre-trade limits, and approve trade-related activities
Deliver risk projects, system enhancements, and contribute to process improvements
Ensure adherence to risk policies and communicate risk principles to stakeholders and clients
Skills & Experience
Experience in risk management or trading within financial markets
Knowledge of exchange-traded derivatives and trade lifecycle
Strong numerical and analytical skills confident discussing risk with clients
Understanding of market processes, controls, and governance
Advanced Excel skills, including VBA
23C1935
R1105492
Job ID: 143006637